Hall of Fame Resort & Entertainment Company (HOFV) Financial Ratios Quarterly - Discounting Cash Flows
HOFV
Hall of Fame Resort & Entertainment Company
HOFV (PNK)
Period Ending: LTM
(Last Twelve Months)
2025 (Q3)
09-30
2025 (Q2)
06-30
2025 (Q1)
03-31
2024 (Q4)
12-31
2024 (Q3)
09-30
2024 (Q2)
06-30
2024 (Q1)
03-31
2023 (Q4)
12-31
2023 (Q3)
09-30
2023 (Q2)
06-30
2023 (Q1)
03-31
2022 (Q4)
12-31
2022 (Q3)
09-30
2022 (Q2)
06-30
2022 (Q1)
03-31
2021 (Q4)
12-31
2021 (Q3)
09-30
2021 (Q2)
06-30
2021 (Q1)
03-31
2020 (Q4)
12-31
2020 (Q3)
09-30
2020 (Q2)
06-30
2020 (Q1)
03-31
2019 (Q4)
12-31
2019 (Q3)
09-30
2019 (Q2)
06-30
2019 (Q1)
03-31
2018 (Q4)
12-31
2018 (Q3)
09-30
2018 (Q2)
06-30
2018 (Q1)
03-31
Price Ratios
Price to Earnings Ratio -0.037 -0.069 -0.089 -0.097 -0.152 -0.232 -0.275
1234
Price to Sales Ratio 0.137 0.253 0.239 0.273 0.401 0.562 0.752
1234
Price to Book Ratio 0.075 0.14 0.104 0.096 0.116 0.136 0.192
1234
Price to Free Cash Flow Ratio -0.212 -0.392 -0.284 -0.356 -0.31 -0.318 -0.354
1234
Price to Operating Cash Flow Ratio -0.201 -0.37 -0.395 -0.551 -0.778 -0.865 -1.48
1234
Price Earnings to Growth Ratio 0.002 -0.004 0.005 0.003 -0 0.01 -0.064
1234
EV to EBITDA -27.61 -27.45 -23.69 -18.35
1234
Liquidity Ratios
Current Ratio 0.284 0.284 0.302 0.237 0.311 0.406 0.161
1234
Quick Ratio 0.284 0.284 0.302 0.237 0.311 0.406 0.161
1234
Cash Ratio 0.042 0.042 0.028 0.016 0.016 0.094 0.024
1234
Debt Ratio 0.763 0.763 0.736 0.7 0.679 0.562 0.532
1234
Debt to Equity Ratio 8.71 8.71 5.79 4.41 3.4 2.59 2.35
1234
Long Term Debt to Capitalization 0.896 0.896 0.851 0.813 0.771 0.718 0.677
1234
Total Debt to Capitalization 0.897 0.897 0.853 0.815 0.773 0.721 0.701
1234
Interest Coverage Ratio -0.879 -0.706 -0.92 -1.25 -0.741 -1.02 -1.11
1234
Cash Flow to Debt Ratio -0.043 -0.006 -0.018 -0.006 -0.015 -0.007 -0.012
1234
Margins
Gross Profit Margin 62.97% 62.74% 63.06% 51.97% 69.85% 75.38% 63.64%
1234
Operating Profit Margin -158% -118.1% -131.7% -284.3% -146.1% -95.33% -178.5%
1234
Pretax Profit Margin -366.2% -286.9% -273.9% -511.6% -443% -58.92% -329.6%
1234
Net Profit Margin -366.2% -286.9% -273.9% -511.6% -443% -58.92% -329.6%
1234
Operating Cash Flow Margin -68.35% -31.94% -111.4% -49.76% -78.72% -24.21% -60.29%
1234
Free Cash Flow Margin -64.54% -34.74% -111.9% -53.25% -59.72% -96.25% -77.55%
1234
Return
Return on Assets -17.6% -17.75% -14.79% -15.66% -15.3% -12.72% -15.89%
1234
Return on Equity -120.4% -202.6% -116.5% -98.57% -76.64% -58.55% -70.02%
1234
Return on Capital Employed -8.34% -8.4% -8.67% -9.49% -8.77% -9.47% -11.38%
1234
Return on Invested Capital -5.39% -9.1% -9.3% -10.12% -9.33% -11.54% -13.09%
1234
Turnover Ratios
Receivables Turnover Ratio 17.94 5.25 3.01 2.63 3.17 4.52 4.15
1234
Payables Turnover Ratio 0.27 0.08 0.075 0.056 0.077 0.098 0.064
1234
Inventory Turnover Ratio 0 0 0 0 0 0 0
1234
Fixed Asset Turnover Ratio 0.052 0.015 0.013 0.009 0.014 0.022 0.014
1234
Asset Turnover Ratio 0.048 0.014 0.012 0.008 0.013 0.017 0.011
1234
Per Share Items ()
Revenue Per Share 2.55 0.747 0.648 0.441 0.734 1.15 0.72
1234
Operating Cash Flow Per Share -1.74 -0.239 -0.722 -0.22 -0.578 -0.277 -0.434
1234
Free Cash Flow Per Share -1.65 -0.259 -0.725 -0.235 -0.438 -1.1 -0.558
1234
Cash & Short Term Investments 0.565 0.565 0.487 0.446 0.437 0.697 0.529
1234
Earnings Per Share -9.35 -2.14 -1.78 -2.26 -3.25 -0.675 -2.37
1234
EBITDA Per Share -1.47 -0.249 -0.221 -0.619 -0.392 -0.45 -0.645
1234
Dividend Per Share 0 0 0 0 0 0 0
1234
Enterprise Value Per Share 40.57 40.64 39.83 38.65 38.85 38.66 38.01
1234
Book Value Per Share 7.76 4.65 6.84 8.68 11.16 14.45 15.19
1234
Price Per Share 0.584 0.65 0.71 0.831 1.3 1.96 2.92
1234
Effective Tax Rate 0% 0% 0% 0% 0% 0% 0%
1234
Short Term Coverage Ratio 0 0 0 0 0 0 -0.13
1234
Capital Expenditure Coverage Ratio -17.94 -11.41 -242.8 -14.26 -4.14 -0.336 -3.49
1234
EBIT Per Revenue -1.58 -1.18 -1.32 -2.84 -1.46 -0.953 -1.79
1234
EBITDA Per Revenue -0.576 -0.333 -0.34 -1.4 -0.533 -0.393 -0.895
1234
Days of Sales Outstanding 20.35 17.15 29.9 34.19 28.42 19.91 21.67
1234
Days of Inventory Outstanding 0 0 0 0 0 0 0
1234
Days of Payables Outstanding 1,350 1,131 1,207 1,595 1,172 922.7 1,405
1234
Cash Conversion Cycle -1,329 -1,113 -1,177 -1,561 -1,144 -902.8 -1,383
1234
Cash Conversion Ratio 0.187 0.111 0.407 0.097 0.178 0.411 0.183
1234
Free Cash Flow to Earnings 0.176 0.121 0.408 0.104 0.135 1.63 0.235
1234
discounting cash flows home logo

Discounting Cash Flows

Are you finding our services helpful? Review us on trustpilot logo Trustpilot
Have a question? Contact us
Want to become our sponsor?
Check out our Affiliate Program